Accounting & Financial Management Problems

659 problems reported across 10+ industries

Problems
659
App Ideas
217
Avg Severity
3Medium
Industries
10

Industries Reporting Accounting & Financial Management Problems

Top App Ideas for Accounting & Financial Management

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Accounting & Financial Management Problems(page 25 of 33)

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42

CleanUpPrice Pro

Bookkeeper struggling to price cleanup work for a client with major accounting discrepancies, unsure if her rates are fair.

Accounting & BookkeepingAccounting & Financial ManagementBookkeeper3Medium$ implied
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42

ReconcileFlow for E-commerce

An accountant struggles to reconcile Amazon merchant account balances with NetSuite after Amazon changed from settlement-based to post-based reporting, causing persistent discrepancies despite following previous successful reconciliation methods.

Accounting & BookkeepingAccounting & Financial ManagementBookkeeper3Medium$ implied
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42

SoloCorp Payroll Advisor

An occupational therapist running an S Corp needs guidance on handling late payroll payments to themselves due to delayed insurance reimbursements, while also navigating workers' compensation insurance requirements when setting up payroll systems.

Health, Wellness, and BeautyAccounting & Financial ManagementOwner3Medium$ implied
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42

DebitAlign

Journal entries with negative debits cause discrepancies between Excel and Sage accounting software because Sage automatically converts negative debits to credits, leading to unbalanced entries and confusion with managers.

Accounting & BookkeepingAccounting & Financial ManagementBookkeeper3Medium$ implied
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42

CleanBooks Migrate

Converting older QuickBooks Desktop files with extensive journal entry history to QuickBooks Online is messy and time-consuming, requiring manual cutoff decisions and balance transfers.

Accounting & BookkeepingAccounting & Financial ManagementBookkeeper3Medium$ implied
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42

ConstructCost Pro for QBO

Construction professionals lack efficient tools for handling work-in-progress (WIP) reports and job costing within QuickBooks Online, forcing them to consider manual Excel-based workarounds.

ConstructionAccounting & Financial ManagementCPA/Accountant3Medium$ implied
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42

ConstructCost Pro

Construction accountants struggle with unreliable WIP reporting in QuickBooks Online, forcing manual exports to Excel for accurate client reports.

ConstructionAccounting & Financial ManagementAccountant3Medium$ implied
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42

FlipCost Pro

Unsure how to properly record COGS and inventory profit for storage auction flips using Zoho Books.

General Business ServicesAccounting & Financial ManagementOwner3Medium$ implied
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42

InventorySync Pro

QuickBooks journal entries for Shopify sales don't automatically record inventory depletion, requiring manual reconciliation that creates accounting errors.

Accounting & BookkeepingAccounting & Financial ManagementBookkeeper3Medium$ implied
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42

BuildCost Pro

Construction businesses struggle to generate accurate Work-in-Progress (WIP) reports and job costing using QuickBooks Online, forcing them to use manual workarounds.

ConstructionAccounting & Financial ManagementOwner3Medium$ implied
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42

CloseTrack Monthly

Board member objects to backdated adjustments in monthly budget vs actual reports, creating tension over the accuracy of public financial documents.

Accounting & BookkeepingAccounting & Financial ManagementBookkeeper3Medium$ implied
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42

Reconcilio

Small ecommerce businesses struggle to reconcile sales from Shopify/Amazon with deposits recorded in their bank account.

General Business ServicesAccounting & Financial ManagementOwner3Medium$ implied
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42

ClearDisburse

Uncertainty about how to properly account for disbursement costs collected from customers and paid to third parties in Canada, specifically whether they should be recorded as revenue and COGS or as liability clearing accounts.

Accounting & BookkeepingAccounting & Financial ManagementBookkeeper3Medium$ implied
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42

GatewayReconcile Pro

Accounting professionals struggle with reconciling partial-month payment gateway processing fees when transitioning between manual bookkeeping methods and automated integrations in QuickBooks Online.

Accounting & BookkeepingAccounting & Financial ManagementBookkeeper3Medium$ implied
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42

TaxLiq Adjust Pro

A business owner needs to adjust T4 amounts for source deductions but lacks the proper tools in QuickBooks Online to handle liability adjustments like in QuickBooks Desktop.

Accounting & BookkeepingAccounting & Financial ManagementOwner3Medium$ implied
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42

AutoAmortize

Manual amortization schedule in Excel and monthly manual journal entries for prepaid expenses is inefficient and error-prone.

Accounting & BookkeepingAccounting & Financial ManagementAccountant3Medium$ implied
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42

AuditSnap

Struggling to locate misposted transactions in QuickBooks when reconciling client tax workpapers, leading to difficult manual searches and potential errors.

Accounting & BookkeepingAccounting & Financial ManagementTax Accountant3Medium$ implied
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42

StatementSync Pro

Bank feeds don't automatically fetch PDF copies of bank statements from multiple accounts, requiring manual work to obtain complete documentation.

Accounting & BookkeepingAccounting & Financial ManagementBookkeeper3Medium$ implied
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42

DataBridge Connect for Accounting

The user needs accounting software that can connect to and standardize data from various client spreadsheets to build consistent financial dashboards, which Modernbanc does not currently offer.

Accounting & BookkeepingAccounting & Financial ManagementAnalyst3Medium$ implied
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42

ERP Compare Pro

Accountant at small manufacturer struggling with clunky old Dynamics NAV, making reporting painful, integrations hacky, and changes dependent on IT workarounds, and is unsure whether to upgrade or replace ERP.

ManufacturingAccounting & Financial ManagementAccountant3Medium$ implied

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